49 Financial Markets jobs in India

Graduate Analyst - Financial Markets

400001 Mumbai, Maharashtra ₹30000 Monthly WhatJobs

Posted 22 days ago

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intern
Our client is actively seeking motivated and bright Graduate Analysts to join their fully remote team. This is an exceptional internship opportunity for individuals looking to gain hands-on experience in the dynamic world of financial markets. You will be responsible for conducting in-depth market research, analyzing financial data, preparing reports, and supporting senior analysts with various projects. The ideal candidate will possess a strong academic background in Finance, Economics, Mathematics, or a related field, with excellent analytical and quantitative skills. This is a remote-first position, demanding a high degree of self-discipline, organizational skills, and the ability to communicate effectively through virtual channels. You will learn to utilize various financial modeling tools and software, and gain exposure to different asset classes and investment strategies. Responsibilities include monitoring market trends, identifying investment opportunities, assisting with portfolio analysis, and contributing to client presentations. We are looking for enthusiastic individuals who are eager to learn, possess a keen eye for detail, and are comfortable working independently. This internship provides a solid foundation for a career in finance and offers exposure to the intricacies of global financial markets. You will work closely with experienced professionals who will provide mentorship and guidance throughout your internship. The ability to process large datasets and present findings clearly and concisely is essential. This is a fantastic chance to kickstart your career in a challenging and rewarding environment, all from your remote workspace. The conceptual base for this role is Mumbai, Maharashtra, IN , with the work being performed entirely remotely.
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Remote Quantitative Analyst - Financial Markets

530001 Visakhapatnam, Andhra Pradesh ₹1500000 Annually WhatJobs

Posted 1 day ago

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full-time
Our client, a prestigious investment firm, is looking for a highly skilled and analytical Quantitative Analyst to join their remote trading strategies team. This position, based in proximity to Visakhapatnam, Andhra Pradesh, IN , requires a deep understanding of financial markets, advanced mathematical modeling, and statistical analysis. You will be responsible for developing, testing, and implementing sophisticated quantitative models that drive trading decisions and risk management strategies. The ideal candidate possesses a strong academic background, exceptional problem-solving abilities, and the proficiency to work independently in a remote setting.

Responsibilities:
  • Develop and implement quantitative models for pricing, risk management, and algorithmic trading strategies across various asset classes.
  • Conduct rigorous back-testing and statistical analysis of trading models to assess performance and identify areas for improvement.
  • Collaborate with portfolio managers and traders to translate market insights into actionable trading strategies.
  • Analyze large datasets to identify market patterns, inefficiencies, and potential investment opportunities.
  • Build and maintain high-performance trading infrastructure and tools.
  • Monitor market conditions and model performance, making necessary adjustments to ensure optimal results.
  • Research and explore new quantitative techniques and methodologies to enhance trading algorithms.
  • Work closely with software engineers to integrate quantitative models into production trading systems.
  • Clearly document research findings, model methodologies, and trading strategy logic.
  • Ensure compliance with regulatory requirements and firm policies.
  • Stay current with academic research and industry developments in quantitative finance.
Qualifications:
  • Ph.D. or Master's degree in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Minimum of 5 years of experience in quantitative finance, quantitative trading, or a related analytical role.
  • Proficiency in programming languages commonly used in quantitative finance, such as Python (with libraries like NumPy, Pandas, SciPy), C++, or R.
  • Strong knowledge of statistical modeling, time series analysis, machine learning, and econometrics.
  • Deep understanding of financial markets, derivatives, and portfolio theory.
  • Experience with large-scale data analysis and database management (e.g., SQL).
  • Proven ability to work independently and manage complex projects in a remote environment.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication skills, with the ability to explain complex quantitative concepts to both technical and non-technical audiences.
  • Experience with high-frequency trading strategies or market microstructure is a plus.
  • A genuine passion for financial markets and quantitative research.
This remote position offers a competitive compensation package, performance bonuses, and the opportunity to work with a highly talented team on cutting-edge financial technology.
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Senior Quantitative Analyst - Financial Markets

462001 Bhopal, Madhya Pradesh ₹1900000 Annually WhatJobs

Posted 3 days ago

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full-time
Our client, a prestigious investment bank renowned for its sophisticated trading strategies and robust financial infrastructure, is seeking an exceptionally skilled Senior Quantitative Analyst to join their elite trading analytics team. This role is at the forefront of developing and implementing complex mathematical models and algorithms that drive our trading decisions and risk management strategies across global financial markets. You will work closely with traders, portfolio managers, and technology teams to innovate and optimize quantitative solutions, providing a significant competitive edge. The ideal candidate possesses a profound understanding of financial theory, advanced statistical and mathematical expertise, and proficiency in programming languages commonly used in quantitative finance.

Responsibilities:
  • Develop, backtest, and implement quantitative trading strategies and models for various asset classes (e.g., equities, fixed income, derivatives).
  • Design and refine algorithms for pricing, hedging, risk management, and portfolio optimization.
  • Conduct in-depth statistical analysis of market data to identify trading opportunities and risks.
  • Collaborate with front-office traders and portfolio managers to understand their needs and provide quantitative support.
  • Work closely with the technology team to ensure efficient implementation and deployment of trading systems and models.
  • Perform rigorous validation and stress testing of quantitative models.
  • Monitor the performance of trading strategies and models, making necessary adjustments and improvements.
  • Contribute to the research and development of new quantitative methodologies and financial products.
  • Stay abreast of academic research, market trends, and regulatory changes impacting quantitative finance.
  • Document methodologies, models, and results clearly and comprehensively.
  • Mentor junior quantitative analysts and contribute to the team's knowledge base.
  • Ensure compliance with all relevant financial regulations and firm policies.
Qualifications:
  • Ph.D. or Master's degree in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or Economics.
  • Minimum of 5 years of relevant experience in quantitative analysis, financial modeling, or algorithmic trading within the financial services industry.
  • Strong proficiency in programming languages such as Python, C++, R, or MATLAB.
  • Deep understanding of stochastic calculus, time series analysis, econometrics, and statistical modeling.
  • Expertise in financial derivatives, risk management, and portfolio theory.
  • Experience with large datasets and database management (SQL).
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication and presentation skills, with the ability to explain complex concepts to both technical and non-technical audiences.
  • Ability to work independently and collaboratively in a fast-paced, demanding environment.
  • Familiarity with machine learning techniques applied to finance is a plus.
This position is based in **Bhopal, Madhya Pradesh, IN**, offering a hybrid work environment that balances focused individual work with collaborative team engagement.
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Junior Business Analyst, Financial Markets

400001 Mumbai, Maharashtra ₹40000 Monthly WhatJobs

Posted 5 days ago

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intern
Our client, a leading global financial institution, is actively seeking motivated and intellectually curious graduates for a Junior Business Analyst position. This is a fully remote internship opportunity, providing hands-on experience in the fast-paced world of financial markets. You will gain invaluable exposure to market data analysis, client reporting, regulatory compliance, and various financial products and services. This role is designed for individuals eager to learn, contribute to impactful projects, and develop a strong foundation for a career in finance.

Key Responsibilities:
  • Assist senior analysts in collecting and analyzing financial market data.
  • Support the preparation of client reports and presentations.
  • Help in monitoring market trends and identifying potential investment opportunities or risks.
  • Collaborate with cross-functional teams on various finance-related projects.
  • Contribute to the documentation of business processes and requirements.
  • Assist in user acceptance testing (UAT) for new financial systems or features.
  • Learn and apply principles of financial analysis and modeling.
  • Ensure compliance with internal policies and regulatory requirements.
  • Participate in team meetings and provide updates on assigned tasks.
  • Develop a strong understanding of various financial instruments and market dynamics.

Qualifications:
  • Recent graduate with a Bachelor's or Master's degree in Finance, Economics, Business, Mathematics, or a related quantitative field.
  • Strong analytical and problem-solving skills with a keen attention to detail.
  • Proficiency in Microsoft Excel; experience with financial modeling is a plus.
  • Basic understanding of financial markets and investment principles.
  • Excellent written and verbal communication skills.
  • Ability to work independently and collaboratively in a remote team environment.
  • Eagerness to learn and adapt quickly to new challenges.
  • Familiarity with data visualization tools is advantageous.
  • Strong organizational and time management skills.
This internship offers a competitive stipend, mentorship from industry experts, and the potential for future full-time employment opportunities for exceptional candidates. Embark on a rewarding career journey with us from anywhere in the world.
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Junior Analyst, Financial Markets Research

122001 Gurgaon, Haryana ₹25000 Monthly WhatJobs

Posted 5 days ago

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intern
Our client is seeking a bright and motivated Junior Analyst to join their burgeoning Financial Markets Research division. This is an exceptional opportunity for a recent graduate or an individual early in their career to gain hands-on experience in the fast-paced world of financial analysis and market trends. The position is based in our state-of-the-art offices in Gurugram, Haryana . As a Junior Analyst, you will support senior researchers and analysts in gathering, analyzing, and interpreting financial data. Your responsibilities will include researching economic indicators, tracking stock market movements, analyzing company performance, and contributing to the preparation of market reports and presentations. You will work with a variety of data sources and analytical tools to identify key trends and insights that can inform investment strategies and business decisions. Attention to detail and a strong quantitative aptitude are essential.

The ideal candidate will have a Bachelor's degree in Finance, Economics, Statistics, or a related field. Strong Excel skills, including proficiency in data manipulation and charting, are required. Familiarity with financial databases (e.g., Bloomberg, Refinitiv) is a plus. You should possess excellent written and verbal communication skills, with the ability to articulate complex financial concepts clearly and concisely. A keen interest in financial markets, economic policies, and global business trends is paramount. This role demands a proactive approach, a willingness to learn, and the ability to work effectively both independently and as part of a team. You will be exposed to various facets of financial analysis, market research, and investment banking. Opportunities for professional development and mentorship will be provided, allowing you to build a solid foundation for a successful career in finance. We are looking for enthusiastic individuals eager to contribute to our client's success.

Key Responsibilities:
  • Assist in collecting and organizing financial market data from various sources.
  • Perform quantitative analysis of economic and market trends.
  • Contribute to the development of financial models and forecasts.
  • Research specific industries, companies, and investment products.
  • Help prepare market research reports, summaries, and presentations.
  • Monitor financial news and identify relevant market developments.
  • Support senior analysts with ad-hoc research requests.
  • Ensure accuracy and integrity of data used in analyses.
  • Collaborate with team members on research projects.
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Senior Quantitative Analyst, Financial Markets

530003 Visakhapatnam, Andhra Pradesh ₹2500000 Annually WhatJobs

Posted 5 days ago

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Job Description

full-time
Our client, a prominent player in the global financial markets, is seeking a highly accomplished Senior Quantitative Analyst to join their elite, fully remote trading and risk management team. This pivotal role involves developing sophisticated mathematical models and algorithms to drive trading strategies, price complex financial instruments, and manage market risk. You will leverage your deep expertise in statistics, econometrics, and programming to analyze vast datasets, identify market inefficiencies, and contribute to the firm's competitive edge. The ideal candidate possesses a Ph.D. or Master's degree in a quantitative field, coupled with significant experience in developing and implementing quantitative models in a live trading environment. This is a remote-first position, offering the ultimate flexibility to work from anywhere while collaborating with world-class finance professionals.

Key Responsibilities:
  • Develop, implement, and backtest quantitative trading strategies across various asset classes.
  • Design and refine pricing models for derivatives and other complex financial instruments.
  • Build and maintain risk management frameworks and models to assess and mitigate market exposure.
  • Analyze large, high-frequency trading data to identify patterns, correlations, and anomalies.
  • Collaborate closely with traders, portfolio managers, and technologists to integrate quantitative insights into decision-making processes.
  • Research and apply advanced statistical, econometric, and machine learning techniques to financial modeling problems.
  • Optimize existing models and algorithms for performance, efficiency, and robustness.
  • Clearly document research findings, model methodologies, and implementation details.
  • Contribute to the continuous improvement of the firm's quantitative infrastructure and tools.
  • Effectively communicate complex quantitative concepts and results to diverse audiences within the firm.
  • Participate in an agile, remote-first team environment, contributing to a culture of innovation and excellence.
Required Qualifications:
  • Ph.D. or Master's degree in a highly quantitative field such as Financial Engineering, Mathematics, Statistics, Physics, Computer Science, or Economics.
  • Minimum of 5-7 years of relevant experience in quantitative finance, asset management, or hedge funds.
  • Proven track record in developing and implementing successful quantitative trading or pricing models.
  • Strong programming skills in languages such as Python, C++, R, or Java.
  • Deep understanding of financial markets, instruments, and trading concepts.
  • Expertise in statistical modeling, time series analysis, and machine learning techniques.
  • Experience with large datasets and data manipulation tools.
  • Excellent analytical, problem-solving, and research capabilities.
  • Strong written and verbal communication skills, with the ability to explain complex topics clearly.
  • Demonstrated ability to work independently and collaboratively in a remote setting.
This is a unique opportunity to join a leading financial firm with a strong emphasis on remote collaboration and quantitative excellence.
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Senior Quantitative Analyst - Financial Markets

390001 Vadodara, Gujarat ₹90000 Monthly WhatJobs

Posted 6 days ago

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full-time
Our client, a leading financial institution, is seeking a highly analytical and skilled Senior Quantitative Analyst to join their dynamic team. This role is integral to developing and implementing sophisticated mathematical models and trading strategies for financial markets. The ideal candidate will possess a strong background in quantitative finance, econometrics, and statistical modeling, with a proven ability to apply these skills to complex financial instruments and market dynamics. Responsibilities include designing, testing, and deploying quantitative models for pricing, risk management, and algorithmic trading. You will work closely with portfolio managers, traders, and risk officers to provide insights and support strategic decision-making. This position demands exceptional analytical and problem-solving skills, meticulous attention to detail, and proficiency in programming languages commonly used in quantitative finance, such as Python, R, or C++. Strong knowledge of financial derivatives, fixed income, equities, and foreign exchange markets is essential. The Senior Quantitative Analyst will also be responsible for researching new methodologies, staying abreast of market trends, and contributing to the continuous improvement of the firm's quantitative infrastructure. The role offers a hybrid work arrangement, allowing for a balance between collaborative on-site work at our office in **Vadodara, Gujarat, IN** and the flexibility of remote engagement. We are looking for a self-motivated individual with a passion for financial markets and a commitment to delivering high-quality quantitative solutions. This is an excellent opportunity to work in a challenging and fast-paced environment, contribute to cutting-edge financial strategies, and advance your career in quantitative analysis.
Responsibilities:
  • Develop, implement, and backtest quantitative models for financial markets.
  • Design and optimize algorithmic trading strategies.
  • Perform complex statistical analysis and risk modeling.
  • Price and hedge financial derivatives and other complex instruments.
  • Collaborate with traders, portfolio managers, and risk management teams.
  • Conduct research into new quantitative methodologies and financial instruments.
  • Ensure the accuracy and efficiency of quantitative models and systems.
  • Communicate complex quantitative concepts to both technical and non-technical stakeholders.
  • Monitor market trends and identify new trading opportunities.
  • Contribute to the development of the firm's quantitative infrastructure.
Qualifications:
  • Master's or Ph.D. in a quantitative field such as Finance, Mathematics, Statistics, Physics, or Computer Science.
  • 5+ years of experience in quantitative analysis within the financial services industry.
  • Strong knowledge of financial markets, instruments, and derivatives.
  • Proficiency in programming languages like Python, R, C++, or Java.
  • Experience with statistical modeling, time series analysis, and machine learning techniques.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong communication and interpersonal skills.
  • Ability to work effectively in a fast-paced, deadline-driven environment.
  • Experience with risk management frameworks and regulatory requirements.
  • Ability to work effectively in a hybrid work setting.
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Senior Investment Analyst - Financial Markets

160001 Chandigarh, Chandigarh ₹1500000 Annually WhatJobs

Posted 8 days ago

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full-time
Our client, a leading financial institution, is seeking a highly skilled and experienced Senior Investment Analyst to join their Chandigarh-based team. This critical role involves conducting in-depth research and analysis of financial markets, investment opportunities, and economic trends to support strategic investment decisions. You will be responsible for evaluating potential investments, developing financial models, forecasting market movements, and preparing comprehensive reports and recommendations for senior management and investment committees. Key responsibilities include analyzing equity and fixed-income securities, assessing macroeconomic indicators, and monitoring portfolio performance. The ideal candidate will possess a strong quantitative background, exceptional analytical abilities, and a deep understanding of financial instruments, valuation methodologies, and risk management principles. A Bachelor's or Master's degree in Finance, Economics, Accounting, or a related quantitative field is mandatory. Professional certifications such as CFA (Chartered Financial Analyst) are highly preferred. A minimum of 6 years of progressive experience in investment analysis, portfolio management, or a related financial services role is required. Excellent written and verbal communication skills are essential for presenting complex financial data and insights clearly and concisely. The ability to work under pressure, meet tight deadlines, and collaborate effectively with cross-functional teams is crucial. This is an on-site position requiring full-time commitment at our office.Job Location: Chandigarh, Chandigarh, IN
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Lead Quantitative Analyst - Financial Markets

560001 Bangalore, Karnataka ₹150000 Annually WhatJobs

Posted 8 days ago

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full-time
Our client is actively searching for a highly skilled Lead Quantitative Analyst to join their prestigious financial services team in **Bengaluru, Karnataka, IN**. This hybrid role requires a deeply analytical mind, advanced mathematical expertise, and a passion for applying quantitative techniques to financial markets. You will be responsible for developing and implementing sophisticated financial models, performing complex data analysis, and providing insights to support trading strategies, risk management, and product development. The ideal candidate will possess a strong background in finance, statistics, econometrics, and programming languages such as Python, R, or C++. Responsibilities include designing, testing, and deploying quantitative models, researching new methodologies and financial instruments, conducting stress testing and scenario analysis, and communicating complex findings to both technical and non-technical audiences. You will also be involved in mentoring junior analysts, contributing to the team's research agenda, and ensuring compliance with regulatory requirements. This role offers an exciting opportunity to work at the forefront of financial innovation, contributing to the firm's competitive edge. We are looking for an individual who is meticulous, intellectually curious, and capable of thriving in a fast-paced, data-driven environment. Your ability to translate abstract financial concepts into practical, quantitative solutions will be paramount. Join our collaborative team and leverage cutting-edge quantitative methods to drive value in the dynamic world of finance, blending in-office engagement with remote flexibility.
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Senior Risk Analyst - Financial Markets

462001 Bhopal, Madhya Pradesh ₹95000 Monthly WhatJobs

Posted 12 days ago

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full-time
Our client, a prominent financial institution, is seeking a highly analytical and experienced Senior Risk Analyst to join their expanding team in Bhopal, Madhya Pradesh, IN . This role is central to identifying, assessing, and mitigating financial risks across the organization's trading and investment portfolios. The Senior Risk Analyst will be responsible for developing and implementing sophisticated risk management models, conducting quantitative analysis of market, credit, and operational risks, and providing strategic insights to senior management. You will play a key role in ensuring compliance with regulatory requirements and internal risk policies. The ideal candidate will possess a deep understanding of financial instruments, market dynamics, and risk assessment methodologies. Strong quantitative skills, proficiency in statistical modeling, and expertise in risk management software are essential. This position involves a hybrid work arrangement, allowing for strategic collaboration and independent analysis. Responsibilities include monitoring risk exposures, stress testing portfolios, and developing reports that clearly articulate risk profiles and recommendations for risk reduction. You will also contribute to the continuous improvement of risk management frameworks and processes. The ability to communicate complex risk concepts effectively to diverse audiences, including non-technical stakeholders, is crucial. This is an excellent opportunity for a motivated risk professional to contribute to a robust risk culture and advance their career within a respected financial organization.

Responsibilities:
  • Analyze and assess market, credit, and operational risks across financial portfolios.
  • Develop, implement, and refine quantitative risk models and methodologies.
  • Conduct scenario analysis and stress testing to evaluate portfolio resilience.
  • Monitor risk exposures and ensure compliance with regulatory limits and internal policies.
  • Prepare comprehensive risk reports for senior management and regulatory bodies.
  • Identify emerging risks and recommend appropriate mitigation strategies.
  • Collaborate with trading desks, portfolio managers, and other departments on risk-related issues.
  • Contribute to the enhancement of the firm's risk management framework and infrastructure.
  • Stay updated on industry best practices, regulatory changes, and market developments.
  • Mentor junior analysts and share expertise within the risk management team.

Qualifications:
  • Master's degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field.
  • Minimum 6 years of experience in financial risk management, quantitative analysis, or a related role.
  • Strong understanding of financial markets, instruments, and risk management principles.
  • Proficiency in statistical modeling, data analysis, and programming languages (e.g., Python, R, SQL).
  • Experience with risk management software and platforms.
  • Excellent analytical, problem-solving, and critical thinking skills.
  • Strong written and verbal communication skills, with the ability to present complex information clearly.
  • CFA, FRM, or PRM certifications are a plus.
  • Ability to work effectively in a hybrid work environment.
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